Our weekly newsletter is up, and this time around, we’re looking at risk management strategies. Every manager we look at says they manage risk, and that risk management is their number one priority – but talk is…as they say…cheap, and the real question when analyzing a managed futures program is not IF they manage risk (anyone who makes it to the point of offering a program is smart enough to know to SAY they manage risk), but HOW they manage risk.
Source: Welton Investment Corporation
So what are the main methods professional Commodity Trading Advisors (CTAs) use to diversify their programs and manage risk? You’ll have to read on to find out…
Click here to read more: https://bit.ly/ezaMWo
